Descripción
Function
-Support Group bank guarantee needs and corporate guarantees creating ownership of a central repository for the group. Maintain up-to date guarantees portfolio repository and address business needs
within authorized credit lines.
-Attend to Group business guarantee and LC needs as required and process documentation with units and banks
-Support Group intercompany funding loan portfolio and attend to Group business funding needs as required maintaining a central repository of all funding loans and deposits and coordination with Foreign Exchange Manager all foreign currency loans are hedged in time
-Support Group 3rd party funding facilities portfolio and attend to Group business funding needs as required maintaining a central repository of all 3rd party funding loans and deposits and
associated bank documentation
-Deputize for the Group Head of Treasury in all new and ongoing projects as required assisting in
documentation, systems and process management requirements inherent with the role
-Support consolidated group cash ensuring system for daily 360º view of cash balances in 90+ business around the world. Assist group entities on a daily basis to ensure efficient use of cash maximizing pooling structures
-Be focal control point for group companies in approvals of opening and closing of bank accounts and process
approval documentation Treasury initiatives
-Take lead and assist in implementation of a new guarantees portfolio repository system and daily follow up ensuring it is always up to date
-Take lead and assist in implementation of a new Group intercompany funding loan portfolio system and daily follow up ensuring it is always up to date
-Take lead and assist in implementation of a new Group 3rd party debt portfolio system and daily follow up ensuring it is always up to date
-Take lead and assist in implementation of new cash pooling structures and related banking documentation as required
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Tipo de contrato
Sin especificar
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Salario